001268基金今天净值(161726基金今天净值)
001268基金今天净值
001268基金今天净值基金持仓变化
代码简称10.8770
161726基金今天净值
016180,代码简称10.8710
009011,代码159910,代码519034,
009012,代码159920,
基金持仓最新持仓
代码名称所属基金
万份收益
%最新持仓
1002597,亿利洁能
002075,国投瑞银中证数据2.07278.023
15991120,国联安新精选2.23951.165
16160606,鹏华普天收益1.79921.5090
160603160,鹏华普天债A0.99510.70
160605160,鹏华丰收债券1.06501.65
160602160,鹏华普天债B1.35081.4
160603160,鹏华普天债A1.32081.6
160605160,鹏华普天债B1.33001.3
160606160,鹏华丰收债券1.10401.9070
160607160,鹏华丰泽债券1.10901.3090
160608160,鹏华丰收债券1.19001.2090
161010富国天丰1.09992.1800
16060210丰和债1.08982.2700
16060215鹏华普天债A0.86151.0315
16060816鹏华普天债C0.86151.051
16060822链接A0.93500.9730
16060823链接B0.98130.9730
16060611鹏华债券1.08601.9020
161612融通债券1.00201.0020
161619融信增利债券1.00401.0020
161621融信增利债券1.00401.0030
鹏华普天收益证券投资基金160602基金吧档案资讯
16060823绿地收益基金吧档案资讯
16060824中海进取股票股票基金吧档案